Vega Capital Group LLC



Similar documents
Anderson Financial Advisors, LLC

Item 1: Cover Page. Part 2B of Form ADV: Brochure Supplement

Buffalo First Wealth Management, LLC

Firm Brochure Supplement (Part 2B of Form ADV) March 9, 2015

FORM ADV PART 2B* Brochure Supplement

Part 2B of Form ADV Brochure Supplement

Michael Sedlak, CFP, CFA, CEPA, MBA

Underhill Investment Management LLC

Cornerstone Financial Planning, LLC

Part 2B of Form ADV: Brochure Supplement

Jeffrey Myers, CFP, Owner Personal CRD # Long Island Wealth Management, Inc.

Brochure Supplement (Part 2B of Form ADV)

ETHAN L. PEPPER, CFP

Sheila P. Padden, CFP

Traff Asset Management BROCHURE SUPPLEMENTS ADV PART II

San Francisco Office 461 Second Street, #151 San Francisco, CA (415)

Trident Advisors LLC 181 Crossways Park Drive Woodbury, NY 11797

VERDE WEALTH GROUP, LLC

Northview Asset Management, LLC. Form ADV Part 2B Brochure Supplement. Samuel R. Granett Chief Executive Officer & Chief Investment Officer

ADV Part 2A Firm Brochure

Dallas Office Dallas Parkway Suite 1100 Dallas, TX

Dennis M. Breier 16W455 S. Frontage Road Suite 311 Burr Ridge, IL 60527

Form ADV Part 2B Individual Disclosure Brochure. Mark W. McGorry Personal CRD Number: Investment Adviser Representative

GREYLOCK PEAK VENTURES LLC 125 S. Main Street Sebastopol, CA Fax

Investment Advisors. Form ADV Part II. 265 Brookview Centre Way, Suite 504 Knoxville, TN

Dallas Office Dallas Parkway Suite 1100 Dallas, TX

ROWLING AND ASSOCIATES ACCOUNTANCY CORPORATION DBA ROWLING & ASSOCIATES

Form ADV Part 2: Brochure Supplement

Servus Capital Management, LLC FORM ADV PART 2B BROCHURE SUPPLEMENT

Stellar Capital Management, LLC

Financial Solutions LLC

AP Wealth Management, LLC FORM ADV PART 2A BROCHURE

Retirement Funding Advisors, Inc M-15 Clarkston, MI

How To Know More About Douglas W. Jones Financial And Insurance Services

Andrew C. Fisher. CIM Investment Management, Inc. Investment Building 239 Fourth Avenue, Suite 1302 Pittsburgh, PA 15222

Part 2B of Form ADV: Brochure Supplement. Kenton C. Crabb Judd L. Kramer Jarrod B. Musick Steven R. Musick Mabel A. Pirner

Firm Brochure (Part 2A of Form ADV)

Cranbrook Wealth Management, LLC 901 Wilshire Drive, Suite 350 Troy, Michigan (248)

What is an Investment Adviser?

Firm Brochure (Form ADV Part 2A) ZRC Wealth Management, LLC

Indianapolis Office 201 N. Illinois Street, Suite 700 Indianapolis, IN

Additional information about TPW Financial also is available on the SEC s website at

Taxable Fixed Income Leadership Team Sean T. Rhoderick, Chief Investment Officer and Intermediate Lead Manager

Gregory J. Martik, CFP Jayme A. Russo Robert M. Pulit 538 Valley Brook Road, Suite 100 Venetia, PA March

DISCLOSURE BROCHURE. McConnell Financial Advisors, LLC. Office Address: 312 W. Idaho St. Boise, ID Tel: Fax:

PART 2B OF FORM ADV: BROCHURE SUPPLEMENT. Supervised Persons James E. Kearney, Jeffrey Fisher, Brian T. Tesseyman, and Thomas K.

Brochure Supplement. Steven Umstead Director Elm Street, Suite 340 McLean, VA 22101

ALAN S. WARDYGA WEALTH MANAGEMENT RESOURCES, INC.

NerdWallet Advisory, LLC Part 2A of Form ADV Brochure Document April 29, 2016

Peter Miller Robert Hofmann, CFP Paulette Greenwell, CFA, MBA Mark Frombach, CFA, MBA Susan Arnold Ryan Crooks, MBA Tucker Schade Lori Blum

IPS RIA, LLC CRD No

Firm Brochure Supplement (Part 2B of Form ADV)

BROCHURE SUPPLEMENTS (ADV PART 2)

Part 2B of Form ADV SEC Firm Brochure Supplement

7025 W Grandridge Blvd, Ste B Kennewick WA Erik R. Pielstick. 115 N 50 th Avenue, Ste B Yakima WA CRD# Financial Management, Inc.

REDWOOD INVESTMENTS, LLC One Gateway Center, Suite 802 Newton, MA

Part 2A of Form ADV: Firm Brochure. April 18, 2016

Hollis Capital Management, LLC

Item 1: Cover Page LLC. Firm Brochure - Form ADV Part 2A

Snowden Capital Advisors LLC

Matson & Cuprill East Kemper Road Suite B Cincinnati, OH Telephone: Facsimile:

LJPR Financial Advisors Investment Drive. Troy, MI (248) August 11, 2015

LJPR Financial Advisors Corporate Drive, #100. Troy, MI (248) December 11, 2015

William K. Lang. Downriver Capital Management, LLC

Form ADV Part 2B Individual Disclosure Brochure

ADV Part 2B Brochure Supplement

CAPITAL MARKET CONSULTANTS, INC. FORM ADV PART 2A INFORMATION. March 17, Capital Market Consultants, Inc. 222 E. Erie Street, Suite 200

Part 2B of Form ADV: Brochure Supplement. Financial Management Strategies, Inc. Carl Camillo 9050 Sweet Valley Drive Valley View, Ohio 44125

March 9, Additional information about Edward Vance also is available on the SEC s website at

Samatva Wealth Management, LLC Saint Clair Road Clarksburg MD

Castle Financial Advisors, LLC Part 2A of Form ADV The Brochure

Part 2A Brochure. Investus Financial Planning, Inc Santa Ana Ave, U-202 Costa Mesa, CA

GLOBAL WEALTH MANAGEMENT

This brochure has not been approved by the Securities and Exchange Commission (SEC), nor any state securities authority.

RUSSELL IMPLEMENTATION SERVICES INC.

Kansas City Office 1201 Walnut Street, Suite 1700 Kansas City, MO

Transcription:

Vega Capital Group LLC Telephone: 415-318-8740 Facsimile: 415-318-8745 Email: info@vegacapital.com Website: www.vegacapital.com FORM ADV PART 2B BROCHURE SUPPLEMENT MARCH 14, 2014 This brochure supplement provides information about Vladimir Naroditsky and Leonid Pinski that supplements the Vega Capital Group s brochure. You should have received a copy of that brochure. Please contact Leonid Pinski if you did not receive Vega Capital Group s brochure or if you have any questions about the contents of this supplement. Additional information about Vladimir Naroditsky and Leonid Pinski is available on the SEC s website at www.adviserinfo.sec.gov.

Vladimir Naroditsky Managing Director Item 2. Ph. 415-318-8740 EDUCATIONAL BACKGROUND AND BUSINESS EXPERTISE Vladimir Naroditsky was born in 1955. Vladimir Naroditsky earned his Ph. D. in Mathematics from the University of Denver, Denver, CO, in 1982. Mr. Naroditsky earned the Chartered Financial Analyst (CFA) designation in 2001. According to the CFA Institute, to be awarded the CFA charter one must have 48 months of qualified professional investment experience, pledge to adhere to the CFA Institute Code of Ethics and Standards of Professional Conduct on an annual basis and complete the CFA Program. The CFA Program is organized into three levels, each culminating in a six-hour exam. The disciplines of study include accounting, economics, ethics, equity analysis, fixed income analysis, portfolio management and statistics. 1997-99 Financial Advisor, Prudential Securities, San Francisco, CA 1999-2002 Financial Advisor, UBS PaineWebber, San Francisco, CA 2002 current Managing Director, Vega Capital Group, San Francisco, CA Item 3. DISCIPLINARY INFORMATION A. Vladimir Naroditsky has not had any civil or criminal actions brought against him. B. Vladimir Naroditsky has not had any administrative proceedings before the SEC, any other federal regulatory agency, any state regulatory agency, or any foreign financial regulatory authority. C. Vladimir Naroditsky has not had any proceedings before a self-regulatory organization. D. Vladimir Naroditsky has not had proceedings in which a professional attainment, designation, or license was revoked or suspended Item 4. OTHER BUSINESS ACTIVITIES 2

A. Vladimir Naroditsky is a shareholder of Vega Private Wealth Management AG, a Swiss corporation ( VPWM ) based in Zurich, Switzerland. VPWM is in the business of providing financial and investment advice to individuals and corporate clients, none of whom are residents of the United States. As a shareholder in VPWM, Mr. Naroditsky is entitled to receive annual dividends if such dividends are allocated by the Board of Directors. 1. Vega Capital Group does not believe these activities are material to the Firm s advisory business or its clients, furthermore, they do not present any material conflict of interest in the operations of the Firm. 2. Vladimir Naroditsky does not receive any commissions, bonuses or other compensation based on the sale of securities or other investment products. B. Vladimir Naroditsky is one of the owners of NP Advisors, a California Corporation. NP Advisors is a financial consulting company that provides market research and asset risk analysis. Mr. Naroditsky spends less than 10% of his time on this activity. Item 5. ADDITIONAL COMPENSATION Vladimir Naroditsky receives no economic benefit (such as sales awards or other prizes) from any non-clients for providing advisory services. Item 6. SUPERVISION Vega Capital Group s Investment Committee consists of the Firm s two principals, Mr. Naroditsky and Mr. Pinski, and operates with a team approach. All investment decisions are a result of discussions and agreement among the two principals. The Investment Committee reviews the client portfolios regularly to ensure that the Firm s policies are implemented consistently among all accounts. ITEM 7. REQUIREMENTS FOR STATE REGISTERED ADVISERS Mr. Naroditsky has not been involved in any event enumerated in this item requiring disclosure, including an award or finding of liability in any arbitration claim alleging damages in excess of $2,500; an award or finding of liability in any civil, self-regulatory organization, or administrative proceeding; or the subject of any bankruptcy petition. 3

Leonid Pinski Managing Director Ph. 415-318-8740 Item 2. EDUCATIONAL BACKGROUND AND BUSINESS EXPERTISE Leonid Pinski was born in 1969. Leonid Pinski earned his MBA from UC Berkeley Haas School of Business in 2001 and his M.S. in Economics from Moscow University of Oil and Gas in 1993. 1996-1999 Controller, Zyxel Communications Corporation, Moscow, Russia 2000-2001 Financial Consultant, Charles Schwab, San Francisco, CA 2001 current Managing Director, Vega Capital Group, San Francisco, CA Item 3. DISCIPLINARY INFORMATION A. Leonid Pinski has not had any civil or criminal actions brought against him. B. Leonid Pinski has not had any administrative proceedings before the SEC, any other federal regulatory agency, any state regulatory agency, or any foreign financial regulatory authority. C. Leonid Pinski has not had any proceedings before a self-regulatory organization. D. Leonid Pinski has not had proceedings in which a professional attainment, designation, or license was revoked or suspended Item 4. OTHER BUSINESS ACTIVITIES A. Leonid Pinski is a shareholder of Vega Private Wealth Management AG, a Swiss corporation ( VPWM ) based in Zurich, Switzerland. VPWM is in the business of providing financial and investment advice to individuals and corporate clients, none of whom are residents of the United States. As a shareholder in VPWM, Mr. Pinski is entitled to receive annual dividends if such dividends are allocated by the Board of Directors. 4

1. Vega Capital Group does not believe these activities are material to the Firm s advisory business or its clients, furthermore, they do not present any material conflict of interest in the operations of the Firm. 2. Leonid Pinski does not receive any commissions, bonuses or other compensation based on the sale of securities or other investment products. B. Leonid Pinski is one of the owners of NP Advisors, a California Corporation. NP Advisors is a financial consulting company that provides market research and asset risk analysis. Mr. Pinski spends less than 10% of his time on this activity. Item 5. ADDITIONAL COMPENSATION Leonid Pinski receives no economic benefit (such as sales awards or other prizes) from any nonclients for providing advisory services. Item 6. SUPERVISION Vega Capital Group s Investment Committee consists of the Firm s two principals, Mr. Naroditsky and Mr. Pinski, and operates with a team approach. All investment decisions are a result of discussions and agreement among the two principals. The Investment Committee reviews the client portfolios regularly to ensure that the Firm s policies are implemented consistently among all accounts. ITEM 7. REQUIREMENTS FOR STATE REGISTERED ADVISERS Mr. Pinski has not been involved in any event enumerated in this item requiring disclosure, including an award or finding of liability in any arbitration claim alleging damages in excess of $2,500; an award or finding of liability in any civil, self-regulatory organization, or administrative proceeding; or the subject of any bankruptcy petition. 5